FX Manager – Treasury & Risk Management
Musket Corp. · Genève
Description du poste
About the role
The FX Manager will lead Musket Europe’s foreign‑exchange risk function from Geneva, building a robust framework for identifying, tracking and hedging currency exposure across trading, commercial and financing activities.
Key responsibilities
- Identify, quantify and maintain a consolidated view of FX exposure generated by both above‑the‑line (trading, commercial) and below‑the‑line (financing, balance‑sheet) activities.
- Develop and execute hedging strategies aligned with the company’s risk appetite, monitoring exposure across Europe, North America and potentially Latin America.
- Continuously review and improve the FX tracking and management system, eliminating gaps and manual work‑arounds.
- Collaborate with technology and IT teams to implement system enhancements.
- Serve as primary liaison with internal stakeholders (traders, commercial teams) and external counterparties (banks, brokers) for pricing, execution and relationship management.
- Produce regular reports on exposure, hedging activity and risk positions for senior leadership.
- Help define and maintain FX policy and governance as the function matures.
Required profile
- 5+ years of experience in a Middle Office or similar risk‑management role, preferably within a trading house, bank or commodities business.
- Strong understanding of foreign‑exchange markets, hedging instruments and regulatory environments across multiple regions.
- Proven ability to analyse complex exposure data and translate it into actionable risk‑mitigation strategies.
Required skills
Questions fréquentes
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Musket Corp.
Genève